Allient Financial Ratios for Analysis 2009-2024 | ALNT

Fifteen years of historical annual and quarterly financial ratios and margins for Allient (ALNT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
2.602.692.252.712.482.492.773.052.181.971.593.152.201.992.96
0.460.520.460.460.480.550.380.490.470.550.60----
0.871.090.850.840.921.200.610.991.041.341.830.010.000.030.02
31.7431.2730.0029.6130.3429.4330.0329.6929.5929.4129.1029.0730.2228.1621.44
7.316.296.456.277.937.487.467.689.009.675.627.138.706.17-29.37
7.316.296.456.277.937.487.467.689.009.675.627.138.706.17-29.37
11.7011.4010.9710.6711.9811.2511.6011.8012.2212.587.948.9010.668.42-24.61
5.134.715.735.126.426.666.405.216.637.464.617.358.586.41-29.72
4.163.465.973.724.595.133.193.694.765.553.155.296.284.45-20.33
0.970.850.861.051.211.091.341.371.431.490.731.671.891.581.76
3.362.953.154.104.843.995.415.566.256.953.644.925.364.916.35
6.806.607.887.748.357.187.929.4210.239.004.639.449.496.867.91
53.7055.3146.3547.1643.7050.8246.0938.7535.6640.5678.8838.6838.4653.2346.15
9.588.0712.839.5414.2815.649.2012.5617.1424.778.2312.8019.1811.97-49.75
272-58.01-106.3488.95452-83.0331.2286.3665.70285-53.0515.9025.1317.66-52.62
4.032.965.123.915.575.584.285.056.838.302.318.8511.877.03-35.82
5.133.866.955.187.437.105.746.369.0711.263.2512.8019.1811.97-49.75
15.4313.4912.229.788.287.166.185.144.644.053.523.262.862.462.20
2.770.351.751.732.431.241.831.051.451.470.810.360.690.590.25
2.05-0.650.811.081.380.221.380.671.111.170.580.160.550.490.17

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.103.903.562.602.582.732.782.692.582.382.462.252.522.562.692.712.682.692.642.482.492.632.672.492.442.672.572.772.803.083.033.051.641.521.472.182.142.001.991.971.701.691.681.592.983.463.623.153.252.923.052.201.851.811.731.992.542.442.642.962.812.442.91
0.460.470.470.460.480.490.510.520.540.530.480.460.400.420.440.460.480.500.530.480.510.530.550.550.380.400.400.380.420.440.470.490.400.420.440.470.490.520.540.550.560.570.590.60------------------0.05
0.850.890.900.870.930.961.031.091.151.140.920.850.670.710.780.840.931.021.120.921.021.111.211.200.620.680.670.610.720.810.900.990.931.031.101.041.111.241.321.341.511.561.711.830.030.010.010.010.000.000.000.000.010.010.030.03--0.010.020.030.100.07
31.3629.9032.2931.4732.6931.3331.4931.0732.2132.4129.1528.6730.9430.7429.5727.8929.7330.5330.3530.1131.0830.6829.4629.1629.6729.4029.4531.4530.0929.6428.8530.2329.3430.1729.0628.2230.7829.7429.3729.3330.0429.9228.2828.3829.1029.7229.9228.1729.1930.3728.4530.5830.0530.4929.7429.2529.7627.7325.2824.9125.0716.8418.23
5.283.598.254.998.168.197.826.248.706.133.724.148.386.636.505.136.825.837.276.489.128.217.804.549.027.798.377.938.116.617.114.678.739.447.484.9811.439.489.4511.0411.128.847.566.674.804.205.796.208.368.035.9512.158.277.556.765.728.015.435.230.062.70-124.39-6.96
5.283.598.254.998.168.197.826.248.706.133.724.148.386.636.505.136.825.837.276.489.128.217.804.549.027.798.377.938.116.617.114.678.739.447.484.9811.439.489.4511.0411.128.847.566.674.804.205.796.208.368.035.9512.158.277.556.765.728.015.435.230.062.70-124.39-6.96
---------------------------------------------------------------
2.171.076.012.785.966.065.653.906.785.112.773.507.655.855.773.935.694.776.064.767.576.676.573.428.277.297.436.817.035.416.281.706.387.225.052.279.177.027.358.949.236.095.444.074.594.695.625.947.999.415.9912.117.917.556.685.818.185.366.110.092.75-126.05-6.93
1.680.854.703.084.594.614.342.824.923.732.181.615.774.5611.732.904.243.344.373.974.784.804.763.566.075.295.480.154.713.694.331.284.624.853.701.376.955.175.007.926.304.343.552.683.353.233.824.595.436.774.319.695.705.134.544.655.123.704.210.691.86-86.91-4.77
0.210.230.240.240.240.250.250.220.230.210.230.210.280.280.280.270.280.260.270.290.310.300.300.260.360.370.360.350.340.330.340.310.340.360.340.310.360.360.370.370.380.360.350.290.370.410.420.390.410.460.470.480.480.520.500.410.530.520.470.490.420.380.31
0.730.780.800.820.830.870.860.770.810.740.840.770.991.041.171.061.080.981.071.151.301.221.250.951.251.371.361.381.391.351.411.241.421.531.441.391.741.631.681.721.751.711.781.471.161.281.261.171.101.241.311.351.361.511.431.271.641.761.621.691.291.271.23
1.521.651.671.661.601.681.671.721.681.761.671.891.861.951.811.961.851.751.671.981.731.791.751.711.771.941.792.051.881.911.982.122.122.062.142.241.971.861.992.231.802.001.821.851.852.151.982.221.882.152.142.401.922.131.981.801.961.961.942.201.801.721.59
59.3354.5253.9254.3456.1353.5053.8252.3353.5051.1953.7947.6448.4546.1749.7945.8548.7451.5153.9945.4852.1650.3351.5652.6250.8346.4450.3343.8247.7847.0745.5342.4542.4843.7042.0240.2045.8048.4745.2640.3450.0544.9549.5448.6948.5941.9045.4540.5747.8541.7842.0537.5446.9042.1745.5050.0445.9646.0346.4340.9350.0352.4556.62
0.770.432.581.732.752.862.741.713.292.281.290.833.682.937.791.892.992.293.322.934.064.004.192.594.844.434.410.113.532.733.480.983.794.483.381.086.695.285.348.767.635.104.252.791.831.872.232.613.234.653.027.484.474.353.783.284.042.912.890.471.12-49.70-2.03
6.204.4729.0849.04-342.19-155.50-50.87-12.33-15.71-9.22-17.58-6.8914.5013.4542.1617.6053.04-483.47-71.0992.74-185.54-60.08-36.19-13.7414.9715.9217.270.3712.4211.4617.596.7426.6046.261164.1227.8931.2549.34101499-165.72-63.08-18.002.232.282.733.244.025.853.909.806.106.185.504.844.173.023.030.491.19-53.38-3.49
0.350.191.130.731.121.161.070.631.150.800.510.331.641.293.310.771.170.861.171.141.501.431.430.922.191.971.950.051.581.201.460.391.551.741.260.432.531.871.822.942.371.571.250.781.241.321.591.812.223.092.054.632.712.652.261.932.691.931.990.340.79-33.44-1.48
0.420.231.360.921.431.461.350.821.531.060.670.452.201.714.371.031.551.141.561.522.011.901.901.182.992.642.660.072.061.521.850.502.272.581.890.573.412.552.463.983.352.181.751.101.831.872.232.613.234.653.027.484.474.353.783.284.042.912.890.471.12-49.70-1.93
16.2015.7815.8015.4314.8714.5614.1313.4912.5812.6012.4712.2211.0410.7410.399.789.188.648.358.287.907.727.517.167.076.726.696.186.115.755.385.145.285.064.944.644.594.253.994.053.903.823.653.523.433.313.253.263.163.012.962.862.742.682.552.462.342.142.162.202.202.143.16
1.771.050.562.771.671.070.220.35-0.36-0.02-0.861.751.371.140.391.731.050.46-0.212.431.200.62-0.171.240.800.530.121.831.100.530.171.050.710.12-0.501.450.990.260.051.470.570.46-0.020.810.260.21-0.090.360.050.04-0.230.690.280.15-0.050.590.330.240.140.250.08-0.06-0.16
1.360.730.382.051.190.690.00-0.65-1.04-0.42-1.020.810.700.730.171.080.590.21-0.331.380.540.17-0.350.220.050.13-0.041.380.800.340.080.670.45-0.05-0.571.110.720.06-0.061.170.340.35-0.060.580.110.12-0.110.16-0.11-0.07-0.280.550.180.08-0.080.490.260.190.110.170.02-0.09-0.19